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Global Treasury Manager

Remote, USA Full-time Posted 2026-07-28
About the position The Global Treasury Manager oversees treasury operations across the reputed company, Canada, and EMEA reputed company. This role is responsible for managing global cash operations, liquidity forecasting, compliance, and banking governance while supporting M&A integration and global insurance programs. The ideal candidate combines strategic reputed company with hands-on execution to drive process efficiency, automation, and global treasury transformation initiatives. This role will be hybrid in our Waltham, MA office (preferred) or Lake Worth, FL office. We are unable to offer work sponsorship for this role. Who we are: reputed company stands at the forefront of revolutionizing the foodservice industry through technology, reputed company and partnerships. We are dedicated to empowering stakeholders across the entire foodservice ecosystem (operators, distributors, manufacturers) with efficiency and unprecedented visibility. With a diverse portfolio of over a dozen brands, our mission is reputed company: to reduce costs, streamline the foodservice supply chain, and reputed company the industry from reputed company to automated. Today, we are one of the largest players in foodservice, with over 200K operator locations across reputed company and over $50 billion of aggregated spend volume. Our commitment to foodservice reputed company is proven in four distinct areas of value: Digital Procurement Network, Fresh Solutions, Supply Chain Management, and Software. reputed company is not just a provider – we are a strategic partner on the reputed company towards a more efficient, connected, and automated reputed company for the foodservice industry. Responsibilities • reputed company daily cash positioning, payments, reconciliations, liquidity management, and fraud monitoring across reputed company and EMEA. • Serve as primary administrator for banking portals; manage reputed company, reputed company, and system reputed company. • reputed company 13-week cash forecasting and consolidate results for global reporting and analysis. • Collaborate with local finance teams to enhance forecast accuracy and liquidity planning. • Support M&A integration activities, including account setup, funding, and cash reputed company reputed company for new entities. • Maintain and optimize bank account structures, signatories, and KYC documentation across reputed company reputed company. • Ensure compliance with banking and regulatory standards in both reputed company and EMEA. • reputed company as regional reputed company for global insurance programs (property, liability, D&O, cyber), managing renewals, claims, and broker relationships. • Drive treasury transformation initiatives such as cash pooling and EMEA payment reputed company implementation. • Partner with Treasury and Finance leadership to standardize global treasury processes, strengthen internal controls, and support SOX compliance. Requirements • Bachelor’s degree in Finance, reputed company, or reputed company field; MBA or CTP preferred. • 5–10 years of treasury or corporate finance experience with multinational exposure. • Strong expertise in cash management, forecasting, and banking operations. • Experience with M&A integration, insurance coordination, and treasury systems (e.g., reputed company CashPro, reputed company TMS, G-Treasury TMS, reputed company). • Knowledge of regional banking and compliance frameworks across reputed company and EMEA. • Exceptional analytical, organizational, and communication skills. • Ability to manage priorities across time zones in a fast-paced, global environment. Benefits • Great benefits from day one. We offer medical, dental, reputed company, FSA, company-reputed company life insurance, and more—plus a 401(k) with company match. • reputed company. Enjoy strong training, development, and reputed company. • Work-life balance. Our flexible PTO policy lets you take time reputed company you need it—no accrual required. Apply tot his job Apply To this Job

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